DFI RETAIL GROUP HOLDINGS LIMITED(D01) USD 2.85
Dividend Yield(TTM) =0.13%
Year Yield Total Amount Ex Date
20230.09%USD 0.003HKD0.022023-03-16
20220.34%USD 0.01HKD0.012022-08-18
HKD0.0652022-03-17
20210.65%USD 0.018HKD0.032021-08-19
HKD0.1152021-03-25
20200.87%USD 0.025HKD0.052020-08-20
HKD0.1452020-03-19
20190.94%USD 0.027HKD0.0652019-08-22
HKD0.1452019-03-13
20180.94%USD 0.027HKD0.0652018-08-15
HKD0.1452018-03-21
20170.94%USD 0.027HKD0.0652017-08-23
HKD0.1452017-03-15
20160.89%USD 0.025HKD0.0652016-08-17
HKD0.1352016-03-16
20151.03%USD 0.029HKD0.0652015-08-19
HKD0.1652015-03-18
20141.03%USD 0.029HKD0.0652014-08-20
HKD0.1652014-03-19
20131.03%USD 0.029HKD0.0652013-08-21
HKD0.1652013-03-20
20120.96%USD 0.027HKD0.0652012-08-15
HKD0.152012-03-14
20110.85%USD 0.024HKD0.062011-08-17
HKD0.132011-03-16
20100.74%USD 0.021HKD0.052010-08-18
HKD0.1152010-03-17
20090.65%USD 0.018HKD0.0452009-08-26
HKD0.12009-03-18
20080.56%USD 0.016HKD0.042008-08-20
HKD0.0852008-03-18
20070.44%USD 0.012HKD0.032007-08-29
HKD0.0682007-03-21
20060.39%USD 0.011HKD0.0262006-08-16
HKD0.0622006-03-15
20050.34%USD 0.01HKD0.0232005-08-17
HKD0.0532005-03-16
20040.24%USD 0.007HKD0.0212004-08-25
HKD0.0322004-03-10
20030.15%USD 0.004HKD0.0142003-08-20
HKD0.022003-04-02
20020.04%USD 0.001HKD0.012002-08-21
20000.19%USD 0.006HKD0.04352000-03-22